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Senior Manager of Accounting and Reporting

Job in Boston, Suffolk County, Massachusetts, 02298, USA
Listing for: Pyramid Global Hospitality
Full Time position
Listed on 2026-03-12
Job specializations:
  • Finance & Banking
    Financial Manager
  • Management
    Financial Manager
Salary/Wage Range or Industry Benchmark: 100000 - 125000 USD Yearly USD 100000.00 125000.00 YEAR
Job Description & How to Apply Below

Pyramid Global Hospitality (“Pyramid”) is a leading hotel management company, operating in the US, Caribbean, and Western Europe. With portfolio revenues exceeding $3 billion, Pyramid manages 230 hotels, resorts, and conference centers, both branded and independent. The firm maintains offices in Boston (Headquarters), Cincinnati, Houston, and London. Additional information about Pyramid can be found at  In 2021, Pyramid and Benchmark Resorts and Hotels merged, adding 59 managed or asset‑managed resorts and over 10,000 additional team members.

The two companies share the same company culture, values, and philosophies. We are growing, and opportunities abound! What really sets Pyramid apart from our competitors is our reputation as an employer. Professional growth is not just possible throughout the company, but planned and encouraged. The Leadership Team at Pyramid considers team member development its top priority, recognizing that success is achieved only in a workplace where every contributor is respected and recognized.

This is why we deliver superior results. There is an opportunity to work directly with senior leaders, experience stretch assignments, and learn hospitality management from industry giants. You will come to know a distinctive people‑centric culture that is at the core of all we do. The decisions we make, and the paths we take, are bound by a commitment to our Owners, Associates, Customers, and the Communities where we work.

We attract the most talented associates in the industry and actively encourage candidates with a “hospitality spirit” who may be considering a career change to join our team.

What you will have an opportunity to do:

The Senior Manager of Accounting and Reporting reports to the Senior Vice President of Finance in the Corporate Accounting group. This position will manage all financial, accounting, and reporting functions related to Pyramid’s ownership interests within a fund partnership. This position serves as the primary liaison between the corporate teams, lenders, auditors, and tax advisors — ensuring accuracy, transparency, and timeliness across all reporting and compliance deliverables.

The ideal candidate combines deep technical accounting expertise with strategic insight, strong communication skills, and the ability to manage multi‑entity structures. Must possess excellent analytical and communication skills, demonstrate leadership and initiative skills, and be able to work independently in order to see assignments through to completion.

Duties and Responsibilities
  • Manage all JV‑level accounting and reporting for company‑related fund partnerships and affiliated entities.
  • Ensure GAAP‑compliant financial reporting and alignment between JV and property‑level statements.
  • Oversee cash flow forecasting at both the hotel and JV levels, capital calls, distributions, and investor reporting.
  • Oversee and manage the annual audit, including preparation of annual financial statements in accordance with NCREIF standards, audit packages, schedules, reconciliations, and supporting documentation.
  • Manage tax coordination with internal and external tax advisors, excise/franchise filings, and RE tax submissions as well as ensure compliance with filing deadlines, estimated payments, and entity registrations.
  • Oversee quarterly and annual lender reporting for all fund assets, including DSCR, reserve funding, and capital plan submissions and proactively identify and resolve potential issues.
  • Prepare or review monthly lender draw requests, escrow contributions, and releases (e.g., FFE restricted accounts).
  • Partner with Asset Management to align capital project funding with approved budgets and cash flow availability.
  • Oversee semi‑annual fund forecasts and quarterly distribution notices to investors.
  • Review monthly capital schedules and holdback calculations for accuracy and timing.
  • Prepare quarterly fund and internal ownership reporting packages in coordination with Asset Management.
  • Consolidate financial results, performance narratives, and cash position summaries for ownership review.
  • Support asset managers with pro‑forma modeling inputs and variance explanations.
  • Ensure all accounting…
Position Requirements
10+ Years work experience
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